Week |
Topics |
1 |
Credit Risk Analysis and Management The relationship between liquidity risk and credit risk in banksOriginal Research Article Journal of Banking & Finance, Volume 40, March 2014, Pages 242-256 BjörnImbierowicz, Christian Rauch |
2 |
Fundamental Firm Level Risks Does the uncertainty of firm-level fundamentals help explain cross-sectional differences in liquidity commonality? Journal of Banking & Finance, In Press, Accepted Manuscript, ZanginaIsshaq, Robert Faff Corporate tax avoidance and stock price crash risk: Firm-level analysis. Journal of Financial Economics, Volume 100, Issue 3, June 2011, Pages 639-662. Jeong-Bon Kim, Yinghua Li, Liandong Zhang |
3 |
External Risks Bank risks, monetary shocks and the credit channel in Brazil: Identification and evidence from panel data. Journal of International Money and Finance, Volume 55, July 2015, Pages 135-161. Julio Ramos-Tallada A new dynamic modeling framework for credit risk assessment. Expert Systems with Applications, Volume 45, 1 March 2016, Pages 341-351. Maria Rocha Sousa, João Gama, ElísioBrandão |
4 |
Entity Level Risks and Financial Risks Credit rationing and relationship lending. Does firm size matter? Journal of Banking & Finance, Volume 53, April 2015, Pages 249-265 Stefano Cenni, Stefano Monferrà, Valentina Salotti, Marco Sangiorgi, Giuseppe Torluccio |
5 |
Financial Risks Financial openness, domestic financial development and credit ratings. Finance Research Letters, Volume 16, February 2016, Pages 11-18. Eugenia Andreasen, Patricio Valenzuela Liquidity and credit risk before and after the global financial crisis: Evidence from the Korean corporate bond market. Pacific-Basin Finance Journal, Volume 33, June 2015, Pages 38-61. Dongheon Shin, Baeho Kim |
6 |
Credit Risk in project finance Credit-spread determinants and interlocking contracts: A study of the Ras Gas project. Journal of Financial Economics, Volume 86, Issue 1, October 2007, Pages 248-278 MansoorDailami, Robert Hauswald Asset financing with credit risk. Journal of Banking & Finance, Volume 37, Issue 1, January 2013, Pages 43-59. Steven Golbeck, Vadim Linetsky |
7 |
Credit Risk in Working Capital Working Capital Management Efficiency: A Study on the Small Medium Enterprise in Malaysia. Procedia Economics and Finance, Volume 35, 2016, Pages 297-303 Farrah WahiedaKasiran, NorediAzhar Mohamad, Othman Chin Do capital flows change domestic credit allocation? Journal of International Money and Finance, Volume 62, April 2016, Pages 98-121. Anna Samarina, Dirk Bezemer |
8 |
Credit Portfolio Risks Portfolio credit-risk optimization. Journal of Banking & Finance, Volume 36, Issue 6, June 2012, Pages 1604-1615. Ian Iscoe, Alexander Kreinin, Helmut Mausser, OleksandrRomanko Risk factor contributions in portfolio credit risk models. Journal of Banking & Finance, Volume 34, Issue 2, February 2010, Pages 336-349. Dan Rosen, David Saunders |
9 |
Credit Risk Pricing Arbitrage-free credit pricing using default probabilities and risk sensitivities. Journal of Banking & Finance, Volume 35, Issue 2, February 2011, Pages 268-281. Andreas Blöchlinger Pricing nondiversifiable credit risk in the corporate Eurobond market. Journal of Banking & Finance, Volume 31, Issue 8, August 2007, Pages 2233-2263. J. Abaffy, M. Bertocchi, J. Dupačová, V. Moriggia, G. Consig |
10 |
Security The effect of credit guarantees on credit availability and delinquency rates. Journal of Banking & Finance, Volume 59, October 2015, Pages 98-110. Kevin Cowan, Alejandro Drexler, Álvaro Yañez Reexamining the empirical relation between loan risk and collateral: The roles of collateral liquidity and types. Journal of Financial Intermediation, Volume 26, April 2016, Pages 28-46. Allen N. Berger, W. Scott Frame, VassoIoannidou Trade credit, collateral liquidation, and borrowing constraints. Journal of Financial Economics, Volume 96, Issue 3, June 2010, Pages 413-432. Daniela Fabbri, Anna Maria C. Menichini |
11 |
Credit Crises Credit booms, banking crises, and the current account. Journal of International Money and Finance, Volume 60, February 2016, Pages 360-377. J. Scott Davis, Adrienne Mack, Wesley Phoa, Anne Vandenabeele Credit booms, financial fragility and banking crises. Economics Letters, Volume 136, November 2015, Pages 233-236. David Fielding, Johan Rewilak Credit information sharing and banking crises: An empirical investigation. Journal of Macroeconomics, Volume 34, Issue 3, September 2012, Pages 788-800. BerrakBüyükkarabacak, Neven Valev |
12 |
Project Presentation and discussion |
13 |
Writing a conclusion and revision of the project |
14 |
Review |